Senior Treasury Risk Manager

Darwin Hawkins

Dublin

On-site

EUR 90,000 - 150,000

Full time

14 days+
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Job summary

Darwin Hawkins is seeking an experienced Treasury professional for a senior, broad role within a large organisation. You will cover treasury risk, liquidity, hedging, financial markets and banking relationships, working closely with senior stakeholders across the business.

You will contribute to strategic initiatives, process improvements and the continued development of Treasury frameworks and controls, while leading and influencing across a complex organisation.

Qualifications

  • Qualified finance professional with significant relevant experience (ACCA/ACA/CFA desirable)
  • Strong Corporate Treasury, Banking or Financial Risk background
  • Experience across treasury risk, liquidity and hedging
  • Strong understanding of financial markets and risk management
  • Experience managing banking and external counterparty relationships
  • Strong senior stakeholder management and influencing skills
  • Experience operating within a large or complex organisation beneficial
  • Strong leadership, analytical and communication capabilities

Responsibilities

  • Treasury Risk – Support the development and implementation of Treasury risk policies and frameworks
  • Liquidity – Oversee liquidity management, cash investment and associated Treasury activities
  • Financial Risk – Manage a range of financial market exposures and associated risk management activities
  • Hedging – Develop and execute appropriate hedging solutions
  • Banking – Manage relationships with banking and external counterparties
  • Risk Oversight – Support the monitoring and oversight of wider trading and financial risks
  • Stakeholder Management – Provide Treasury and risk expertise to senior stakeholders across the organisation
  • Controls & Governance – Maintain and enhance appropriate Treasury controls and governance
  • Transformation – Contribute to technology, process improvement and broader Treasury initiatives
  • Leadership – Play a key role within the wider Treasury function

Skills

Treasury risk
Liquidity management
Hedging
Financial markets
Banking relationships
Stakeholder management
Leadership
Analytical skills
Communication

Education

ACCA/ACA/CFA desirable

Job description

Why should you apply?

This is an excellent opportunity for an experienced Treasury professional to take on a senior and varied position within a large and complex organisation. The successful candidate will have exposure across treasury risk, liquidity, hedging, financial markets, banking relationships and risk oversight, while working closely with senior stakeholders across the wider business. The role also offers the opportunity to contribute to strategic initiatives, process improvement, technology and the continued development of Treasury frameworks and controls.

Who should apply?

This role will suit an experienced Treasury, Banking or Financial Risk professional who is comfortable operating in a complex and senior stakeholder environment.

  • Qualified finance professional with significant relevant experience (ACCA/ACA/CFA desirable)
  • Strong Corporate Treasury, Banking or Financial Risk background
  • Experience across treasury risk, liquidity and hedging
  • Strong understanding of financial markets and risk management
  • Experience managing banking and external counterparty relationships
  • Strong senior stakeholder management and influencing skills
  • Experience operating within a large or complex organisation beneficial
  • Strong leadership, analytical and communication capabilities
Role and Reporting Lines

Reporting into the senior Treasury leadership team, responsibilities will include:

  • Treasury Risk – Support the development and implementation of Treasury risk policies and frameworks
  • Liquidity – Oversee liquidity management, cash investment and associated Treasury activities
  • Financial Risk – Manage a range of financial market exposures and associated risk management activities
  • Hedging – Develop and execute appropriate hedging solutions
  • Banking – Manage relationships with banking and external counterparties
  • Risk Oversight – Support the monitoring and oversight of wider trading and financial risks
  • Stakeholder Management – Provide Treasury and risk expertise to senior stakeholders across the organisation
  • Controls & Governance – Maintain and enhance appropriate Treasury controls and governance
  • Transformation – Contribute to technology, process improvement and broader Treasury initiatives
  • Leadership – Play a key role within the wider Treasury function
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